Manager Finance and Sales Reporting - IMARAT Group
(2025-01)
- Preparing daily, weekly, and monthly sales performance reports.
- Monitoring sales KPIs, revenue, collections, and booking trends.
- Developing dashboards using Excel, Power BI, or similar BI tools.
- Reconciling sales data with finance and ERP systems.
- Ensuring data accuracy and compliance with company policies.
- Coordinating with sales, finance, CRM, and accounts teams.
- Presenting reports and recommendations to senior management.
- Led and mentored finance teams to achieve financial goals and objectives.
Manager Finance - IMARAT Group
(2024-01 - 2025-01)
- Maintaining the cash sheet for the region for opening and closing cash till date for Graana.
- Dealing with the petty cash and reconciliations against expenses and making adjustments if any.
- Preparation of vouchers for all cash outflows and entering them in GP for Graana and A21.
- Receiving all the commissions against deals made by Area managers and RE-Advisors for Graana and making receiving.
- Managing all the activities related to banking matters of the Region.
- Preparing rebate sheets twice a month for Graana and for commission payments to sales team.
- Dealing with the payables for the vendors providing materials and services for daily activities and events.
- Dealing with the receivables for all the services provided by company.
Assistant Manager Finance - IMARAT Group
(2021-01 - 2024-01)
- Dealing with the cash inflows and outflows of Agency21, Graana & Propsure.
- Dealing with the Cash Module of SAP & Ensure all the entries timely posted on SAP.
- Led and mentored finance teams to achieve financial goals and objectives.
- Identified and mitigated financial risks, ensuring compliance with regulatory requirements.
Finance & Accounts Officer - Telenor
(2017-01 - 2018-01)
Local Cash Management
- Maintaing records of cash application and account reconilliation. Coordinate with Bank and stakeholder for the reconcilliation of bank statement Ensure compliance of SLAS with service provider and end customers.
- Ensure all targets and KPIs are met to secure the set goais
- Business Process Re-engineering for improvement of work efficiency
- To ensure that the entire CM related work are properly reviewed and error free.Module related activities are done with completeness & accuracy ensured.
- Correct Month End Schedule are prepared & shared timely
- Co-operate and ensure excellent working interfaces with internal/external stakeholders
Finance & Accounts Officer - Telenor
(2017-01 - 2018-01)
Global Cash Management
- Manage monthly reconciliation
- Performing routine core accounting function ( Reconcillation ,FA accounting etc.)
- Perform acounting system, process and reports in accordance with Telenor Groups and internal control framework
- Support accurate and timely closing of relevant system modules. Ensure all targets and KPIs are met to secure the set goals
- Coordinate with the vendour / suppliers regarding payment. maintain Fixed asset Register for the store
- Record Fixed asset depreciation journal for the month / quarter and ensure the balances match to the General Ledger
- Review bank reconciliations and control accounts.
Finance Executive - City Link Freight Forwarding Logistics
(2019-01 - 2021-01)
- Managed all the company bank accounts and prepare bank reconciliation on daily basis.
- Supervise the vouching of all 6 branches of Pakistan and make sure to vouch every expense on smart cargo on daily basis
- Monitoring the sale of all branches and make the report of sale on daily basis.
- Identify loopholes and recommend risk aversion measures and cost savings Process and prepare documents related to bank
- Murabah loan Supervise and assist subordinates. Managed 6 branches across whole Pakistan Detecting various frauds in petty cash and account receivables SOP's preparation and implementation. Manage petty cash in amounts up to Million
Internee - Askari Bank
(2015-08 - 2015-09)
Worked in Operation , Credits and Foregin Trade Department. Try to acquire good knowledge and pratical experience in filed of banking.